FR0119105726, EUR 0,00 FRANCE (BTF) 130711

EUR 0,00 FRANCE (BTF) 130711, ISIN FR0119105726 - Securities depository info

Full nameEUR 0,00 FRANCE (BTF) 130711
Short nameFR.BTF E07 0,00/11
Source issue-
ISINFR0119105726
BIC-
Issuer NameFRENCH REPUBLIC
Issuer ID80073177 (Trade register)
Nominal currencyEUR
Nominal Value1
Issued Volume99 999 999 999
Number of instrument units on accounts-
Volume of the issue99 999 999 999
Volume of the issue in accounts-
Nominal typekonstantní
Tradablenení registrována na reg.trhu
Security typedluhopis
Convertabilityvolně převoditelná emise
Security formna doručitele
Shapezaknihovaný CP
Registration stateClearstream 2
Date of Registration27.6.2011
Change date14.7.2011
Maturity Date13.7.2011
Date of Cancellation14.7.2011
Trading CurrencyEUR
Tradable unitv procentech
Group Code9
Statuscancelled
Manager ID-
Manager ID-
Administrator ID-
Administrator-
TVAL100

Issuer EUR 0,00 FRANCE (BTF) 130711

Issuer nameFRENCH REPUBLIC
Postal address - nameFRENCH REPUBLIC
ID number80073177 (Trade register)
Addres - Street-
CityParis
ZIP75 011
CountryFRA
Postal address - Street-
CityParis
ZIP75 011
CountryFRA
Subject typeemitent
Subject categoryprávnická osoba
Subject categoryprávnická osoba
Change date27.6.2011
Change typeplatná/ý

List of other issues, FRENCH REPUBLIC

ISINNamePublished/Closed
FR0108847049 EUR 3,50 FRANCE (BTAN) 06-2011 27.06.2011 / 13.07.2011
FR0118462243 EUR 0,00 FRANCE (BOT) 250811 27.06.2011 / 26.08.2011
FR0119105726 EUR 0,00 FRANCE (BTF) 130711 27.06.2011 / 14.07.2011
FR0119105734 EUR 0,00 FRANCE (BTF) 110811 27.06.2011 / 12.08.2011
FR0119105742 EUR 0,00 FRANCE 080911 27.06.2011 / 09.09.2011
FR0119418780 EUR 0,00 FRANCE (BT) 070711 27.06.2011 / 08.07.2011
FR0119418806 EUR 0,00 FRANCE (BT) 040811 27.06.2011 / 05.08.2011
FR0119418814 EUR 0,00 FRANCE (BTF) 180811 27.06.2011 / 19.08.2011
FR0119418822 EUR 0,00 FRANCE (BTF) 010911 27.06.2011 / 02.09.2011

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